Island Pa-Vin Corp. v. Klinger

76 Misc. 2d 180, 349 N.Y.S.2d 265, 1973 N.Y. Misc. LEXIS 1437
CourtNew York Supreme Court
DecidedOctober 26, 1973
StatusPublished
Cited by5 cases

This text of 76 Misc. 2d 180 (Island Pa-Vin Corp. v. Klinger) is published on Counsel Stack Legal Research, covering New York Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Island Pa-Vin Corp. v. Klinger, 76 Misc. 2d 180, 349 N.Y.S.2d 265, 1973 N.Y. Misc. LEXIS 1437 (N.Y. Super. Ct. 1973).

Opinion

Leon D. Lazer, J.

During the course of a nonjury trial and in the midst of cross-examination of plaintiff’s principal witness by defendant’s attorney, the court discovered that the cross-examiner was also the witness’ lawyer. The propriety of the attorney’s action and the obligations of the trial court are thus the subject of this opinion. The facts follow.

Plaintiff brought an action against the estate of Charles W. Trench ¡(Trench) alleging that the deceased had entered into a joint venture with it to construct the Glen Oaks Country Club golf course in Old Westbury. During the course of the project, Trench died and the undertaking was completed at a claimed loss of $90,000. The complaint seeks the recovery of one half of the loss from the estate.

Plaintiff’s theory of liability is based on the allegedly unauthorized act of Trench in signing the joint venture agreement as an officer ¡of Landscaping by Country Gardens, Inc. (Landscaping). It is asserted that, unknown to the plaintiff, Trench had already sold his stock in Landscaping and was no longer an officer or director when he executed the agreement on its behalf and therefore it is he who became personally liable to plaintiff.

Proof of Trench’s lack of authority rested entirely on the testimony of Robert Gettinger (Gettinger), the sole remaining [181]*181stockholder of Landscaping and the individual who acquired the deceased’s corporate interest.

Almost at the outset of Gettinger’s direct examination by plaintiff, defendant’s attorney (hereafter referred to as “ counsel ”) objected under the dead man statute (CPLB. 4519) to any testimony relating to the witness’ transactions with the deceased. The objection was grounded on counsel’s argument that Gettinger was interested in the event; if plaintiff prevailed in the law suit against the defendant, it would be collaterally estopped from suing Landscaping for the alleged loss; if the defendant prevailed, Landscaping would be liable to plaintiff for one half of the joint venture loss since ratification or authorization of the joint venture agreement by Landscaping was implicit in such a result. The court overruled the objection on the ground that while an interest existed it did not fall within the ambit of CPLB 4519. The attorneys were instructed to. submit posttrial briefs on the issue.

During the direct examination of Gettinger by plaintiff’s attorney, counsel asserted that a letter from plaintiff’s lawyer to Landscaping stating that plaintiff would not sue it did not constitute a release. Thereafter, on two occasions the same examination, counsel suggested that the witness be advised of his privilege against self incrimination. Although the court remarked upon the unusual source of the request for a warning, the privilege was not invoked.

The climactic cross-examination of Gettinger by counsel concerned the use of Landscaping’s letterhead by Trench’s successors during the Glen Oaks project. The following extract from the record brought on the issue now before the court:

Q. Well, isn’t it a fact that — and you tell me whether I’m right or wrong, because I may be wrong and I don’t want to put words in your mouth — but isn’t it a fact that these letters went out on your letterhead because you were the general contractor on the contract?
A. You know damn well that’s not true.
Q. I don’t know that at all.
A. You do.
Q. I take it your answer is no ”.

Gettinger’s statement under oath that his cross-examiner had personal knowledge that Landscaping was not the general contractor on the Glen Oaks job evoked inquiry by the court as to his relationship with counsel. The witness replied that cross-examining counsel had been and still was his lawyer. The trial was promptly recessed and a brief ad hoc hearing was held in chambers to ascertain whether counsel’s disqualification was [182]*182necessary. Counsel forcefully defended his position which was based on the consent of both the defendant and G-ettinger to his current role in the litigation. Another lawyer, he averred, had represented Landscaping in connection with the Glen Oaks project. The case was then adjourned pending determination of the disqualification issue and counsel agreed to furnish the court with a brief supporting his position.

Although the earliest provision of law regulating the professional conduct of lawyers was enacted in England in 1275, it was not until 1887 in Alabama that the first American Code of Professional Ethics was adopted. This was followed in 1908 by the American Bar Association’s Code of Ethics containing 32 canons (Drinker, Legal Ethics, pp. 14, 23-25). The New York State Bar Association (NYSBA) adopted its Canons of Professional Ethics in 1909 but since 1970 the minimum standards of professional conduct expected of New York lawyers have been set forth in the Code of Professional Responsibility promulgated by the American Bar Association (ABA) in 1969 and adopted by the NYSBA effective January 1, 1970. While the canons contained in the code do not possess the force and effect of statutes, they have come to be recognized by Bench and Bar as establishing standards and rules of professional conduct (Matter of Duffy, 19 A D 2d 177; Erie County Water Auth. v. Western N. Y. Water Co., 304 N. Y. 342, cert. den. 344 U. S. 892). They therefore constitute a safe guide in ascertaining whether professional misconduct exists and a lawyer may be disciplined for not observing them (Matter of Heirich, 10 Ill. 2d 357). Unlike its predecessor, The Canons of Professional Ethics, the 1970 code provides that its disciplinary rules are mandatory in the sense that they state the minimum level of conduct below which no lawyer can fall without being subject to disciplinary action (Wise, Legal Ethics [2d ed.], 1970, p. 342.).

Entitled ‘ ‘ A Lawyer Should Exercise Independent Professional Judgment on Behalf of a Client,” canon 5 of the code is applicable to the instant issue. EC 5-14 provides as follows : ‘ Maintaining the independence of professional judgment required of a lawyer precludes his acceptance or continuation of employment that will adversely affect his judgment on behalf of or dilute his loyalty to a client. This problem arises whenever a lawyer is asked to represent two or more clients who may have differing interest, whether such interests be conflicting, inconsistent, diverse, or otherwise discordant.”

EC 5-15 of the code states that all doubts should be resolved against the propriety of such representation and a lawyer should [183]*183never represent in litigation multiple clients with differing interests. The disciplinary rules applicable to canon 5 direct a lawyer to decline or discontinue proffered or existing multiple employment on behalf of a client unless “it is obvious that he can adequately represent the interest of each and if each consents to the representation after full disclosure ”. (DR, 5-105, subd. [0].)

Conflicting interests are those which are hostile, antagonistic, or in conflict with each other (7 0. J. S., Attorney and Client, § 47). A lawyer represents conflicting interests when in behalf of one client, it is his duty to contend for that which duty to another requires him to oppose (Canons of Professional Ethics, canon 6).

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Bluebook (online)
76 Misc. 2d 180, 349 N.Y.S.2d 265, 1973 N.Y. Misc. LEXIS 1437, Counsel Stack Legal Research, https://law.counselstack.com/opinion/island-pa-vin-corp-v-klinger-nysupct-1973.